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MUTUAL FUNDS
Franklin Templeton offers Canadian investors information and insight, along with a wide range of funds, investment trusts, ETFs and investment solutions across asset classes. FRANKLIN QUOTENTIAL BALANCED INCOME PORTFOLIO Reasons to Invest. A Conservative, Balanced Strategy for Global Investing. Our Portfolio Managers actively adjust portfolio allocations targeting a 60%/40% balance between fixed income and equities while aiming to capitalize on short-term opportunities in shifting market and interest-rate environments. Diversified Across Global Income Sources. FRANKLIN BISSETT CORE PLUS BOND FUND Source: Franklin Templeton, of March 31, 2021. Assume: Lump-sum investment of $10,000 into Franklin Bissett Core Plus Bond Fund–Series F on August 1, 1986, with all distributions reinvested. Market value figures reflect the trading value of the investments. Portfolio breakdown percentages may not total 100% and may be negativedue to rounding
TEMPLETON GROWTH FUND Templeton Growth Fund - Series F - Fund Overview. Important Information - Read more. On November 13, 2020, Templeton Growth Fund, Ltd. merged into Templeton Growth Fund and received exemptive relief from the Ontario Securities Commission to carry over the performance and financial history of Templeton Growth Fund, Ltd.into
FRANKLIN QUOTENTIAL GROWTH PORTFOLIO Actively Managed for Long-Term Growth. Portfolio Managers target a long-term, strategic asset allocation of 80% equity/20% fixed-income, providing a foundation for a moderately aggressive risk/return profile. Managers actively shift allocations to position the portfolio for short-term opportunities as economic and market conditions change. FRANKLIN INNOVATION FUND A Proven Investment Process. This Fund's strategy has focused on investing in “Dynamic Technology” since 1968. Advantaged Location. The portfolio managers and investment team are in Silicon Valley, California - at the center of a network of industry, finance, academic and other contacts dedicated to world-leading innovation. FRANKLIN BISSETT CANADIAN BALANCED FUND The fund-of-funds approach makes it the ideal RRSP/RESP vehicle. The fund’s active management, according to the portfolio managers’ economic and market outlook, helps control risk and maximize return potential. Added diversification. This balanced solution invests in core Canadian equity and fixed income solutions while also taking FRANKLIN QUOTENTIAL DIVERSIFIED INCOME PORTFOLIO Find latest pricing, performance, portfolio and fund documents for Franklin Quotential Diversified Income Portfolio (Canada). FRANKLIN BISSETT SHORT DURATION BOND FUND Franklin Bissett has been managing fixed income investments for nearly 30 years for individual, institutional and high net-worth clients. Lower portfolio volatility. As short-term bonds are generally less sensitive to interest rate movements than longer-term bonds, they can help minimize the impact of rising rates on a portfolio and reduce FRANKLIN BISSETT CORE PLUS BOND FUND An experienced bond investor. With nearly 30 years of fixed income experience, Franklin Bissett provides investors with a wealth of successful bond investment expertise. Lower portfolio risk. Adding bonds to a portfolio can lower volatility by providing added stability and a regular stream of income, which is reassuring in any marketenvironment.
MUTUAL FUNDS
Franklin Templeton offers Canadian investors information and insight, along with a wide range of funds, investment trusts, ETFs and investment solutions across asset classes. FRANKLIN QUOTENTIAL BALANCED INCOME PORTFOLIO Reasons to Invest. A Conservative, Balanced Strategy for Global Investing. Our Portfolio Managers actively adjust portfolio allocations targeting a 60%/40% balance between fixed income and equities while aiming to capitalize on short-term opportunities in shifting market and interest-rate environments. Diversified Across Global Income Sources. FRANKLIN BISSETT CORE PLUS BOND FUND Source: Franklin Templeton, of March 31, 2021. Assume: Lump-sum investment of $10,000 into Franklin Bissett Core Plus Bond Fund–Series F on August 1, 1986, with all distributions reinvested. Market value figures reflect the trading value of the investments. Portfolio breakdown percentages may not total 100% and may be negativedue to rounding
TEMPLETON GROWTH FUND Templeton Growth Fund - Series F - Fund Overview. Important Information - Read more. On November 13, 2020, Templeton Growth Fund, Ltd. merged into Templeton Growth Fund and received exemptive relief from the Ontario Securities Commission to carry over the performance and financial history of Templeton Growth Fund, Ltd.into
FRANKLIN QUOTENTIAL GROWTH PORTFOLIO Actively Managed for Long-Term Growth. Portfolio Managers target a long-term, strategic asset allocation of 80% equity/20% fixed-income, providing a foundation for a moderately aggressive risk/return profile. Managers actively shift allocations to position the portfolio for short-term opportunities as economic and market conditions change. FRANKLIN INNOVATION FUND A Proven Investment Process. This Fund's strategy has focused on investing in “Dynamic Technology” since 1968. Advantaged Location. The portfolio managers and investment team are in Silicon Valley, California - at the center of a network of industry, finance, academic and other contacts dedicated to world-leading innovation. FRANKLIN BISSETT CANADIAN BALANCED FUND The fund-of-funds approach makes it the ideal RRSP/RESP vehicle. The fund’s active management, according to the portfolio managers’ economic and market outlook, helps control risk and maximize return potential. Added diversification. This balanced solution invests in core Canadian equity and fixed income solutions while also taking FRANKLIN QUOTENTIAL DIVERSIFIED INCOME PORTFOLIO Find latest pricing, performance, portfolio and fund documents for Franklin Quotential Diversified Income Portfolio (Canada). FRANKLIN BISSETT SHORT DURATION BOND FUND Franklin Bissett has been managing fixed income investments for nearly 30 years for individual, institutional and high net-worth clients. Lower portfolio volatility. As short-term bonds are generally less sensitive to interest rate movements than longer-term bonds, they can help minimize the impact of rising rates on a portfolio and reduce FRANKLIN BISSETT CORE PLUS BOND FUND An experienced bond investor. With nearly 30 years of fixed income experience, Franklin Bissett provides investors with a wealth of successful bond investment expertise. Lower portfolio risk. Adding bonds to a portfolio can lower volatility by providing added stability and a regular stream of income, which is reassuring in any marketenvironment.
FRANKLIN INNOVATION FUND A Proven Investment Process. This Fund's strategy has focused on investing in “Dynamic Technology” since 1968. Advantaged Location. The portfolio managers and investment team are in Silicon Valley, California - at the center of a network of industry, finance, academic and other contacts dedicated to world-leading innovation. FRANKLIN CORE ETF PORTFOLIO Our investment experts actively manage asset allocation, fund selection, currency and risk, with the flexibility to tilt portfolios towards opportunities. Ease of Access, Attractive Pricing. Franklin Multi-Asset ETF Portfolios are mutual funds that invest in ETFs. As a result, they combine some of the best features of both mutual fundsand ETFs
FRANKLIN CLEARBRIDGE INTERNATIONAL GROWTH FUND Find latest pricing, performance, portfolio and fund documents for Franklin ClearBridge International Growth Fund (Canada). FRANKLIN BISSETT CANADIAN EQUITY FUND Canadian Focus. Ideal for investors seeking 100% focus on Canadian equities with a bias towards dividend payers and growers that typically outperform over the long term. GARP-style investing. The fund’s GARP approach to investing uncovers growth-oriented companies at reasonable valuations. This process enables the fund to access manyquality
FRANKLIN BISSETT CANADIAN BALANCED FUND The fund-of-funds approach makes it the ideal RRSP/RESP vehicle. The fund’s active management, according to the portfolio managers’ economic and market outlook, helps control risk and maximize return potential. Added diversification. This balanced solution invests in core Canadian equity and fixed income solutions while also taking FRANKLIN U.S. RISING DIVIDENDS FUND The fund is an ideal solution for investors seeking a core U.S. equity holding for their portfolios. The fund is designed to offer investors long-term growth and performance through dividend-paying U.S. equities. Reinvesting for growth. The fund’s mandate focuses on investing in companies with a history of consistent and substantialdividend
FRANKLIN BISSETT MONEY MARKET FUND The fund seeks a combination of high current income, liquidity and preservation of capital by investing primarily in banker's acceptances, high-quality and short-term money market instruments, as well as issues from Canadian federal or provincial governments and government agencies. The fund maintains a unit price of $10 bydistributing income
FRANKLIN LIBERTY GLOBAL AGGREGATE BOND ETF (CAD-HEDGED Investment Objective and Strategy This ETF seeks to maximize total investment return, consisting of a combination of interest income and capital appreciation by investing primarily in investment grade fixed or floating-rate debt securities issued by governments, government related entities (including supranational organizations supported by several national governments) and corporations worldwide. FRANKLIN QUOTENTIAL BALANCED GROWTH PORTFOLIO Actively Managed for Growth and Income. Maintaining a moderate risk/return profile by targeting a portfolio allocation of 60% equity and 40% fixed income, Portfolio Managers actively shift allocations to position the portfolio for short-term opportunities as economic and market conditions change. Globally Diversified for GreaterOpportunities.
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Please enter your Login Name and Password: Login Name:MUTUAL FUNDS
Franklin Templeton offers Canadian investors information and insight, along with a wide range of funds, investment trusts, ETFs and investment solutions across asset classes. FRANKLIN QUOTENTIAL BALANCED INCOME PORTFOLIO Reasons to Invest. A Conservative, Balanced Strategy for Global Investing. Our Portfolio Managers actively adjust portfolio allocations targeting a 60%/40% balance between fixed income and equities while aiming to capitalize on short-term opportunities in shifting market and interest-rate environments. Diversified Across Global Income Sources. FRANKLIN CORE ETF PORTFOLIO Our investment experts actively manage asset allocation, fund selection, currency and risk, with the flexibility to tilt portfolios towards opportunities. Ease of Access, Attractive Pricing. Franklin Multi-Asset ETF Portfolios are mutual funds that invest in ETFs. As a result, they combine some of the best features of both mutual fundsand ETFs
FRANKLIN BISSETT CORE PLUS BOND FUND Source: Franklin Templeton, of March 31, 2021. Assume: Lump-sum investment of $10,000 into Franklin Bissett Core Plus Bond Fund–Series F on August 1, 1986, with all distributions reinvested. Market value figures reflect the trading value of the investments. Portfolio breakdown percentages may not total 100% and may be negativedue to rounding
FRANKLIN QUOTENTIAL GROWTH PORTFOLIO Actively Managed for Long-Term Growth. Portfolio Managers target a long-term, strategic asset allocation of 80% equity/20% fixed-income, providing a foundation for a moderately aggressive risk/return profile. Managers actively shift allocations to position the portfolio for short-term opportunities as economic and market conditions change. FRANKLIN QUOTENTIAL DIVERSIFIED INCOME PORTFOLIO Find latest pricing, performance, portfolio and fund documents for Franklin Quotential Diversified Income Portfolio (Canada). FRANKLIN BISSETT DIVIDEND INCOME FUND Reasons to Invest. Quality investments offering high yield dividends. The fund invests in businesses with low earnings volatility and solid dividend records. Diversified stream of tax-efficient income. With a regular stream of monthly income that may include dividends and Return of Capital, the fund’s distributions are more tax-efficient than FRANKLIN BISSETT CANADIAN BALANCED FUND The fund-of-funds approach makes it the ideal RRSP/RESP vehicle. The fund’s active management, according to the portfolio managers’ economic and market outlook, helps control risk and maximize return potential. Added diversification. This balanced solution invests in core Canadian equity and fixed income solutions while also taking FRANKLIN BISSETT SHORT DURATION BOND FUND Franklin Bissett has been managing fixed income investments for nearly 30 years for individual, institutional and high net-worth clients. Lower portfolio volatility. As short-term bonds are generally less sensitive to interest rate movements than longer-term bonds, they can help minimize the impact of rising rates on a portfolio and reduce FRANKLIN BISSETT CORE PLUS BOND FUND An experienced bond investor. With nearly 30 years of fixed income experience, Franklin Bissett provides investors with a wealth of successful bond investment expertise. Lower portfolio risk. Adding bonds to a portfolio can lower volatility by providing added stability and a regular stream of income, which is reassuring in any marketenvironment.
MUTUAL FUNDS
Franklin Templeton offers Canadian investors information and insight, along with a wide range of funds, investment trusts, ETFs and investment solutions across asset classes. FRANKLIN QUOTENTIAL BALANCED INCOME PORTFOLIO Reasons to Invest. A Conservative, Balanced Strategy for Global Investing. Our Portfolio Managers actively adjust portfolio allocations targeting a 60%/40% balance between fixed income and equities while aiming to capitalize on short-term opportunities in shifting market and interest-rate environments. Diversified Across Global Income Sources. FRANKLIN CORE ETF PORTFOLIO Our investment experts actively manage asset allocation, fund selection, currency and risk, with the flexibility to tilt portfolios towards opportunities. Ease of Access, Attractive Pricing. Franklin Multi-Asset ETF Portfolios are mutual funds that invest in ETFs. As a result, they combine some of the best features of both mutual fundsand ETFs
FRANKLIN BISSETT CORE PLUS BOND FUND Source: Franklin Templeton, of March 31, 2021. Assume: Lump-sum investment of $10,000 into Franklin Bissett Core Plus Bond Fund–Series F on August 1, 1986, with all distributions reinvested. Market value figures reflect the trading value of the investments. Portfolio breakdown percentages may not total 100% and may be negativedue to rounding
FRANKLIN QUOTENTIAL GROWTH PORTFOLIO Actively Managed for Long-Term Growth. Portfolio Managers target a long-term, strategic asset allocation of 80% equity/20% fixed-income, providing a foundation for a moderately aggressive risk/return profile. Managers actively shift allocations to position the portfolio for short-term opportunities as economic and market conditions change. FRANKLIN QUOTENTIAL DIVERSIFIED INCOME PORTFOLIO Find latest pricing, performance, portfolio and fund documents for Franklin Quotential Diversified Income Portfolio (Canada). FRANKLIN BISSETT DIVIDEND INCOME FUND Reasons to Invest. Quality investments offering high yield dividends. The fund invests in businesses with low earnings volatility and solid dividend records. Diversified stream of tax-efficient income. With a regular stream of monthly income that may include dividends and Return of Capital, the fund’s distributions are more tax-efficient than FRANKLIN BISSETT CANADIAN BALANCED FUND The fund-of-funds approach makes it the ideal RRSP/RESP vehicle. The fund’s active management, according to the portfolio managers’ economic and market outlook, helps control risk and maximize return potential. Added diversification. This balanced solution invests in core Canadian equity and fixed income solutions while also taking FRANKLIN BISSETT SHORT DURATION BOND FUND Franklin Bissett has been managing fixed income investments for nearly 30 years for individual, institutional and high net-worth clients. Lower portfolio volatility. As short-term bonds are generally less sensitive to interest rate movements than longer-term bonds, they can help minimize the impact of rising rates on a portfolio and reduce FRANKLIN BISSETT CORE PLUS BOND FUND An experienced bond investor. With nearly 30 years of fixed income experience, Franklin Bissett provides investors with a wealth of successful bond investment expertise. Lower portfolio risk. Adding bonds to a portfolio can lower volatility by providing added stability and a regular stream of income, which is reassuring in any marketenvironment.
FRANKLIN BISSETT CANADIAN BALANCED FUND The fund-of-funds approach makes it the ideal RRSP/RESP vehicle. The fund’s active management, according to the portfolio managers’ economic and market outlook, helps control risk and maximize return potential. Added diversification. This balanced solution invests in core Canadian equity and fixed income solutions while also taking FRANKLIN GLOBAL GROWTH FUND Franklin equity portfolios are built around solid companies with sustainable competitive advantages that can signal exceptional growth potential. Global perspective. The fund invests primarily in equity securities of growth companies with any market capitalization, located throughout the world. FRANKLIN BISSETT CANADIAN EQUITY FUND Canadian Focus. Ideal for investors seeking 100% focus on Canadian equities with a bias towards dividend payers and growers that typically outperform over the long term. GARP-style investing. The fund’s GARP approach to investing uncovers growth-oriented companies at reasonable valuations. This process enables the fund to access manyquality
TEMPLETON GLOBAL SMALLER COMPANIES FUND Ideal for investors seeking diversification by country and sector with small-cap stocks from around the globe, making it a great source of global diversification for your portfolio. Not your typical small-cap fund. The fund follows a proven disciplined value approach that was pioneered by Sir John Templeton more than 60 years ago. FRANKLIN CLEARBRIDGE INTERNATIONAL GROWTH FUND II Find latest pricing, performance, portfolio and fund documents for Franklin ClearBridge International Growth Fund II (Canada). FRANKLIN BISSETT MONEY MARKET FUND The fund seeks a combination of high current income, liquidity and preservation of capital by investing primarily in banker's acceptances, high-quality and short-term money market instruments, as well as issues from Canadian federal or provincial governments and government agencies. The fund maintains a unit price of $10 bydistributing income
FRANKLIN LIBERTY RISK MANAGED CANADIAN EQUITY ETF Investment Objective and Strategy. Seeks to provide long-term capital appreciation with reduced volatility relative to the broad Canadian equity market by investing primarily in a diversified portfolio of Canadian equities. The investment approach incorporates a mix of historical and projected financial and stock market data, designed to FRANKLIN BISSETT CORPORATE BOND FUND Ideal for investors seeking a great addition to an income portfolio that may already include dividend-paying equities, income trusts, government bonds and GICs. Potential for increased fixed income returns. The fund offers fixed-income investors the potential for higher returns by focusing primarily on investment-grade corporatebonds
FRANKLIN LIBERTY GLOBAL AGGREGATE BOND ETF (CAD-HEDGED Investment Objective and Strategy This ETF seeks to maximize total investment return, consisting of a combination of interest income and capital appreciation by investing primarily in investment grade fixed or floating-rate debt securities issued by governments, government related entities (including supranational organizations supported by several national governments) and corporations worldwide.LOG IN
Please enter your Login Name and Password: Login Name:MUTUAL FUNDS
Franklin Templeton offers Canadian investors information and insight, along with a wide range of funds, investment trusts, ETFs and investment solutions across asset classes. FRANKLIN QUOTENTIAL BALANCED INCOME PORTFOLIO A Conservative, Balanced Strategy for Global Investing Our Portfolio Managers actively adjust portfolio allocations targeting a 60%/40% balance between fixed income and equities while aiming to capitalize on short-term opportunities in shifting market and interest-rateenvironments.
FRANKLIN BISSETT CORE PLUS BOND FUND Long-Term Investing Success 1. Franklin Bissett Core Plus Bond Fund – Series F Growth of $10,000 as of March 31, 2021, since inceptionon August 1, 1986.
FRANKLIN BISSETT DIVIDEND INCOME FUND The fund seeks long-term capital appreciation by investing primarily in dividend-paying or income-producing Canadian securities, including common shares, income trust units and preferred shares. FRANKLIN CORE ETF PORTFOLIO Provide a balance between long-term capital appreciation and income with an emphasis on long-term capital appreciation by investing in exchange traded funds (ETFs) that invest in Canadian, U.S. and international fixed income and equity securities. FRANKLIN QUOTENTIAL GROWTH PORTFOLIO Actively Managed for Long-Term Growth Portfolio Managers target a long-term, strategic asset allocation of 80% equity/20% fixed-income, providing a foundation for a moderately aggressive risk/returnprofile.
FRANKLIN BISSETT CANADIAN BALANCED FUND Active Management.The fund-of-funds approach makes it the ideal RRSP/RESP vehicle. The fund’s active management, according to the portfolio managers’ economic and market outlook, helps control risk and maximize return potential. FRANKLIN QUOTENTIAL DIVERSIFIED INCOME PORTFOLIO Find latest pricing, performance, portfolio and fund documents for Franklin Quotential Diversified Income Portfolio (Canada). FRANKLIN BISSETT SHORT DURATION BOND FUND The fund seeks a high current income and preservation of capital by investing primarily in Canadian fixed-income securities including Canadian federal and provincial government bonds, corporate bonds, debentures and short-term notes. FRANKLIN BISSETT CORE PLUS BOND FUND The fund seeks a high current income and some long-term capital appreciation by investing primarily in Canadian federal and provincial government and corporate bonds, debentures and short-term notes.MUTUAL FUNDS
Franklin Templeton offers Canadian investors information and insight, along with a wide range of funds, investment trusts, ETFs and investment solutions across asset classes. FRANKLIN QUOTENTIAL BALANCED INCOME PORTFOLIO A Conservative, Balanced Strategy for Global Investing Our Portfolio Managers actively adjust portfolio allocations targeting a 60%/40% balance between fixed income and equities while aiming to capitalize on short-term opportunities in shifting market and interest-rateenvironments.
FRANKLIN BISSETT CORE PLUS BOND FUND Long-Term Investing Success 1. Franklin Bissett Core Plus Bond Fund – Series F Growth of $10,000 as of March 31, 2021, since inceptionon August 1, 1986.
FRANKLIN BISSETT DIVIDEND INCOME FUND The fund seeks long-term capital appreciation by investing primarily in dividend-paying or income-producing Canadian securities, including common shares, income trust units and preferred shares. FRANKLIN CORE ETF PORTFOLIO Provide a balance between long-term capital appreciation and income with an emphasis on long-term capital appreciation by investing in exchange traded funds (ETFs) that invest in Canadian, U.S. and international fixed income and equity securities. FRANKLIN QUOTENTIAL GROWTH PORTFOLIO Actively Managed for Long-Term Growth Portfolio Managers target a long-term, strategic asset allocation of 80% equity/20% fixed-income, providing a foundation for a moderately aggressive risk/returnprofile.
FRANKLIN BISSETT CANADIAN BALANCED FUND Active Management.The fund-of-funds approach makes it the ideal RRSP/RESP vehicle. The fund’s active management, according to the portfolio managers’ economic and market outlook, helps control risk and maximize return potential. FRANKLIN QUOTENTIAL DIVERSIFIED INCOME PORTFOLIO Find latest pricing, performance, portfolio and fund documents for Franklin Quotential Diversified Income Portfolio (Canada). FRANKLIN BISSETT SHORT DURATION BOND FUND The fund seeks a high current income and preservation of capital by investing primarily in Canadian fixed-income securities including Canadian federal and provincial government bonds, corporate bonds, debentures and short-term notes. FRANKLIN BISSETT CORE PLUS BOND FUND The fund seeks a high current income and some long-term capital appreciation by investing primarily in Canadian federal and provincial government and corporate bonds, debentures and short-term notes. FRANKLIN CORE ETF PORTFOLIO Provide a balance between long-term capital appreciation and income with an emphasis on long-term capital appreciation by investing in exchange traded funds (ETFs) that invest in Canadian, U.S. and international fixed income and equity securities. TEMPLETON GROWTH FUND The fund seeks to achieve long-term capital appreciation by investing primarily in equity securities of companies around the world and fixed-income securities issued by FRANKLIN BISSETT CANADIAN EQUITY FUND Find latest pricing, performance, portfolio and fund documents for Franklin Bissett Canadian Equity Fund (Canada). FRANKLIN GLOBAL GROWTH FUND Growth approach to stock selection.Ideal for investors seeking a strict bottom-up approach, identifying global themes, sectors and companies to target firms whose growth prospects have FRANKLIN CLEARBRIDGE INTERNATIONAL GROWTH FUND II Find latest pricing, performance, portfolio and fund documents for Franklin ClearBridge International Growth Fund II (Canada). FRANKLIN LIBERTY RISK MANAGED CANADIAN EQUITY ETF Find latest pricing, performance, portfolio and fund documents for Franklin Liberty Risk Managed Canadian Equity ETF (FLRM). FRANKLIN BISSETT INVESTMENT MANAGEMENT For over 30 years, Franklin Bissett Investment Management* has been applying a disciplined team approach to managing equity, income and balanced portfolios for Canadian investors. FRANKLIN BISSETT CORPORATE BOND FUND The fund seeks a high current income and some long-term capital appreciation by investing primarily in bonds, debentures, notes, revenue bonds, as well as asset- and mortgage-backed securities of Canadian corporate entities. TEMPLETON GLOBAL SMALLER COMPANIES FUND The fund seeks long-term capital appreciation by investing primarily in securities of smaller companies around the world. Smaller companies are those similar in size to the companies in the MSCI All Country World (ACWI) Small Cap Index, at the time of initial purchase. FRANKLIN LIBERTY GLOBAL AGGREGATE BOND ETF (CAD-HEDGED Investment Objective and Strategy This ETF seeks to maximize total investment return, consisting of a combination of interest income and capital appreciation by investing primarily in investment grade fixed or floating-rate debt securities issued by governments, government related entities (including supranational organizations supported by several national governments) and corporations worldwide.MUTUAL FUNDS
Franklin Templeton offers Canadian investors information and insight, along with a wide range of funds, investment trusts, ETFs and investment solutions across asset classes. FRANKLIN BISSETT CORE PLUS BOND FUND Source: Franklin Templeton, of March 31, 2021. Assume: Lump-sum investment of $10,000 into Franklin Bissett Core Plus Bond Fund–Series F on August 1, 1986, with all distributions reinvested. Market value figures reflect the trading value of the investments. Portfolio breakdown percentages may not total 100% and may be negativedue to rounding
FRANKLIN CORE ETF PORTFOLIO Our investment experts actively manage asset allocation, fund selection, currency and risk, with the flexibility to tilt portfolios towards opportunities. Ease of Access, Attractive Pricing. Franklin Multi-Asset ETF Portfolios are mutual funds that invest in ETFs. As a result, they combine some of the best features of both mutual fundsand ETFs
FRANKLIN QUOTENTIAL BALANCED INCOME PORTFOLIO Reasons to Invest. A Conservative, Balanced Strategy for Global Investing. Our Portfolio Managers actively adjust portfolio allocations targeting a 60%/40% balance between fixed income and equities while aiming to capitalize on short-term opportunities in shifting market and interest-rate environments. Diversified Across Global Income Sources. FRANKLIN QUOTENTIAL GROWTH PORTFOLIO Actively Managed for Long-Term Growth. Portfolio Managers target a long-term, strategic asset allocation of 80% equity/20% fixed-income, providing a foundation for a moderately aggressive risk/return profile. Managers actively shift allocations to position the portfolio for short-term opportunities as economic and market conditions change. FRANKLIN BISSETT CANADIAN EQUITY FUND Canadian Focus. Ideal for investors seeking 100% focus on Canadian equities with a bias towards dividend payers and growers that typically outperform over the long term. GARP-style investing. The fund’s GARP approach to investing uncovers growth-oriented companies at reasonable valuations. This process enables the fund to access manyquality
FRANKLIN BISSETT SHORT DURATION BOND FUND Franklin Bissett has been managing fixed income investments for nearly 30 years for individual, institutional and high net-worth clients. Lower portfolio volatility. As short-term bonds are generally less sensitive to interest rate movements than longer-term bonds, they can help minimize the impact of rising rates on a portfolio and reduce FRANKLIN BISSETT DIVIDEND INCOME FUND Reasons to Invest. Quality investments offering high yield dividends. The fund invests in businesses with low earnings volatility and solid dividend records. Diversified stream of tax-efficient income. With a regular stream of monthly income that may include dividends and Return of Capital, the fund’s distributions are more tax-efficient than FRANKLIN QUOTENTIAL DIVERSIFIED INCOME PORTFOLIO Find latest pricing, performance, portfolio and fund documents for Franklin Quotential Diversified Income Portfolio (Canada). FRANKLIN BISSETT MONEY MARKET FUND The fund seeks a combination of high current income, liquidity and preservation of capital by investing primarily in banker's acceptances, high-quality and short-term money market instruments, as well as issues from Canadian federal or provincial governments and government agencies. The fund maintains a unit price of $10 bydistributing income
MUTUAL FUNDS
Franklin Templeton offers Canadian investors information and insight, along with a wide range of funds, investment trusts, ETFs and investment solutions across asset classes. FRANKLIN BISSETT CORE PLUS BOND FUND Source: Franklin Templeton, of March 31, 2021. Assume: Lump-sum investment of $10,000 into Franklin Bissett Core Plus Bond Fund–Series F on August 1, 1986, with all distributions reinvested. Market value figures reflect the trading value of the investments. Portfolio breakdown percentages may not total 100% and may be negativedue to rounding
FRANKLIN CORE ETF PORTFOLIO Our investment experts actively manage asset allocation, fund selection, currency and risk, with the flexibility to tilt portfolios towards opportunities. Ease of Access, Attractive Pricing. Franklin Multi-Asset ETF Portfolios are mutual funds that invest in ETFs. As a result, they combine some of the best features of both mutual fundsand ETFs
FRANKLIN QUOTENTIAL BALANCED INCOME PORTFOLIO Reasons to Invest. A Conservative, Balanced Strategy for Global Investing. Our Portfolio Managers actively adjust portfolio allocations targeting a 60%/40% balance between fixed income and equities while aiming to capitalize on short-term opportunities in shifting market and interest-rate environments. Diversified Across Global Income Sources. FRANKLIN QUOTENTIAL GROWTH PORTFOLIO Actively Managed for Long-Term Growth. Portfolio Managers target a long-term, strategic asset allocation of 80% equity/20% fixed-income, providing a foundation for a moderately aggressive risk/return profile. Managers actively shift allocations to position the portfolio for short-term opportunities as economic and market conditions change. FRANKLIN BISSETT CANADIAN EQUITY FUND Canadian Focus. Ideal for investors seeking 100% focus on Canadian equities with a bias towards dividend payers and growers that typically outperform over the long term. GARP-style investing. The fund’s GARP approach to investing uncovers growth-oriented companies at reasonable valuations. This process enables the fund to access manyquality
FRANKLIN BISSETT SHORT DURATION BOND FUND Franklin Bissett has been managing fixed income investments for nearly 30 years for individual, institutional and high net-worth clients. Lower portfolio volatility. As short-term bonds are generally less sensitive to interest rate movements than longer-term bonds, they can help minimize the impact of rising rates on a portfolio and reduce FRANKLIN BISSETT DIVIDEND INCOME FUND Reasons to Invest. Quality investments offering high yield dividends. The fund invests in businesses with low earnings volatility and solid dividend records. Diversified stream of tax-efficient income. With a regular stream of monthly income that may include dividends and Return of Capital, the fund’s distributions are more tax-efficient than FRANKLIN QUOTENTIAL DIVERSIFIED INCOME PORTFOLIO Find latest pricing, performance, portfolio and fund documents for Franklin Quotential Diversified Income Portfolio (Canada). FRANKLIN BISSETT MONEY MARKET FUND The fund seeks a combination of high current income, liquidity and preservation of capital by investing primarily in banker's acceptances, high-quality and short-term money market instruments, as well as issues from Canadian federal or provincial governments and government agencies. The fund maintains a unit price of $10 bydistributing income
FRANKLIN QUOTENTIAL PORTFOLIOS Franklin Quotential Diversified Income Portfolio is a popular choice for this feature as it has historically combined a reliable income stream with ongoing capital appreciation and deferred capital gains. Flexible Tax-Efficient Income. Talk to your advisor today about a customized income proposal featuring one of our Franklin QuotentialPortfolios.
FRANKLIN CORE ETF PORTFOLIO Our investment experts actively manage asset allocation, fund selection, currency and risk, with the flexibility to tilt portfolios towards opportunities. Ease of Access, Attractive Pricing. Franklin Multi-Asset ETF Portfolios are mutual funds that invest in ETFs. As a result, they combine some of the best features of both mutual fundsand ETFs
FRANKLIN MULTI-ASSET ETF PORTFOLIOS Ease of Access, Attractive Pricing. Franklin Multi-Asset ETF Portfolios are mutual funds that invest in ETFs. As a result, they combine some of the best features of both mutual funds and ETFs, such as active management, lower fees and an ability to use automatic investment plans, to name a few. LOG IN - FRANKLIN TEMPLETON Please enter your Login Name and Password: Login Name: FRANKLIN BISSETT CANADIAN EQUITY FUND Canadian Focus. Ideal for investors seeking 100% focus on Canadian equities with a bias towards dividend payers and growers that typically outperform over the long term. GARP-style investing. The fund’s GARP approach to investing uncovers growth-oriented companies at reasonable valuations. This process enables the fund to access manyquality
FRANKLIN CLEARBRIDGE INTERNATIONAL GROWTH FUND II Find latest pricing, performance, portfolio and fund documents for Franklin ClearBridge International Growth Fund II (Canada). FRANKLIN BISSETT CANADIAN BALANCED FUND The fund-of-funds approach makes it the ideal RRSP/RESP vehicle. The fund’s active management, according to the portfolio managers’ economic and market outlook, helps control risk and maximize return potential. Added diversification. This balanced solution invests in core Canadian equity and fixed income solutions while also taking FRANKLIN LIBERTY RISK MANAGED CANADIAN EQUITY ETF Investment Objective and Strategy. Seeks to provide long-term capital appreciation with reduced volatility relative to the broad Canadian equity market by investing primarily in a diversified portfolio of Canadian equities. The investment approach incorporates a mix of historical and projected financial and stock market data, designed to FRANKLIN BISSETT CANADIAN DIVIDEND FUND The fund seeks long-term capital appreciation by investing primarily in dividend-paying or income-producing Canadian securities, including common shares, income trust units and preferred shares. Portfolio managers look for quality companies at reasonable prices that have a proven ability to deliver a consistent and growing level of dividends FRANKLIN BRANDYWINE GLOBAL INCOME OPTIMISER FUND Attractive return potential: An outcome-oriented fixed income solution that offers investors the upside potential of return-seeking fixed income while maintaining the volatility and defensive characteristics of core like bond exposures. WELCOME TO FRANKLIN TEMPLETON __ Individual Investor * Individual Investor* Advisor
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FRANKLIN TEMPLETON ACQUISITION OF LEGG MASON TO EXPAND INVESTMENTOPTIONS IN CANADA
27/07/2020
FRANKLIN TEMPLETON IS EXPANDING ITS CAPABILITIES AND SOLUTIONS FORINVESTORS IN ...
Watch this short video to learn more. FRANKLIN TEMPLETON’S ACQUISITION OF LEGG MASON Focused on delivering better outcomesIMPORTANT NOTICES
Information on distribution estimates, fund updates and more RETIREMENT SURVEY RESULTS Franklin Templeton’s RISE Survey explores attitudes and concerns about preparing, investing for and living in retirement. Access our latest findings here. NEW – FRANKLIN GLOBAL GROWTH ACTIVE ETF Proven Franklin Global Growth strategy now available as an ETF (TSX:FGGE).
DIVERSITY AND INCLUSION With employees living and working in over 30 countries, diversity and inclusion aren’t just buzzwords to us. Diversity and inclusion is in our culture from top to bottom and impacts our lives every day. REFOCUS, REVIEW & REBUILD Prepare for tomorrow. Recover with confidence.POPULAR FUNDS
Series F
Franklin Bissett Canada Plus Equity Fund* Net Asset Value
As of 12/08/2020 $11.90 * NAV Change $0.04* Fund Size
As of 10/31/2020 $4.84 Million * Fund Category Equity * Series Inception Date 07/17/2017 * distribution Annually* Fund Details
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Series F
Franklin Bissett Core Plus Bond Fund* Net Asset Value
As of 12/08/2020 $14.01 * NAV Change $0.01* Fund Size
As of 10/31/2020 $2.26 Billion * Fund Category Fixed Income * Series Inception Date 08/01/1986 * distribution Monthly* Fund Details
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Series F
Franklin U.S. Opportunities Fund* Net Asset Value
As of 12/08/2020 $47.91 * NAV Change $0.25* Fund Size
As of 10/31/2020 $388.87 Million * Fund Category Equity * Series Inception Date 11/24/2000 * distribution Annually* Fund Details
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Series F
Franklin Global Growth Fund* Net Asset Value
As of 12/08/2020 $23.48 * NAV Change $0.12* Fund Size
As of 10/31/2020 $233.43 Million * Fund Category Equity * Series Inception Date 06/20/2011 * distribution Annually* Fund Details
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